kvk-table_1PeriodeTypeJaarrekeningDurationDisclosure_NotesFinancialInstrumentsTable - Notes to the financial statements - Financial instruments

Disclosure of financial instruments
Disclosure of the book value of financial instruments
Disclosure of financial instruments when book value is higher than fair value
Disclosure of financial assets of book value higher than current value
Disclosure of non-current financial liabilities with the book value higher than fair value
Disclosure of the repricing or repayment dates and effective interest rates of financial assets and liabilities
Description of the assumptions underlying the current valuation of financial instruments, if this value has been determined using valuation models and techniques
Disclosure of derivative financial instruments
Description of the nature and size of the derivative financial instruments
Terms and conditions that may affect the amount, timing and certainty of future cash flows of derivative financial instruments
Disclosure of compound financial instruments
Disclosure of cash flow risks
Disclosure of liquidity risks
Disclosure of credit risks
Disclosure of price risks
Disclosure of interest risks
Disclosure of interest income and expenses of financial instruments
Description of the sureties obtained relating to the borrowed and lent financial instruments
Disclosure of securitisation and repurchase agreements of financial instruments
Description of the important contractual conditions of a financial instrument
Description of the amount of a financial instrument
Description of the nature of a financial instrument
Description of the exercise price or bandwidth of possible exercise prices of issued financial instrument
Description of the options for early settlement of issued financial instruments
Description of the options for conversion of exchange of issued financial instruments
Description of amounts and timings of expected future receipts or payments of principal amount of issued financial instrument
Description of the agreed percentage or amount of interest, dividend or other periodic payments on principal and the timing of payment of issued financial instrument
Description of obtained securities for issued financial instruments
Description of the securities of financial instruments provided by the legal entity
Description of the currency in which receipts or payments are made of issued financial instrument
Description of instruments exchanged of issued financial instrument
Description of any condition of an instrument or any related provisions that lead to significant change of any of the provisions of the issued financial instrument
Description of the exercise price or bandwidth of possible exercise prices of obtained financial instrument
Description of the options for early settlement of obtained financial instruments
Description of the options for conversion of exchange of obtained financial instruments
Description of amounts and timings of expected future receipts or payments of principal amount of obtained financial instrument
Description of the agreed percentage or amount of interest, dividend or other periodic payments on principal and the timing of payment of acquired financial instrument
Description of the currency in which receipts or payments are made of obtained financial instrument
Description of instruments exchanged of obtained financial instrument
Description of any condition of an instrument or any related provisions that lead to significant change of any of the provisions of the obtained financial instrument
Description of the nature of the instrument if the presentation in the balance sheet of a financial instrument deviates from the legal form of the instrument
Description of the nature of the instrument if the presentation in the balance sheet of a financial instrument deviates from the economic reality of the instrument
Description of the methods and significant assumptions used in the estimation of the fair value of financial assets and financial obligations
Description of income and expense from changes in fair value of financial assets at fair value, other than held for trading, recognized in profit or loss or directly in equity until disposal of the asset
Description of purchases and sales of financial assets where standard market conventions apply, are recognized on the trade date or on the settlement date